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Chevron Corp (CVX)

155.65
+0.63 (0.41%)
NYSE · Last Trade: Nov 10th, 6:21 PM EST
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Detailed Quote

Previous Close155.02
Open155.42
Bid154.58
Ask155.75
Day's Range152.37 - 155.98
52 Week Range132.04 - 168.96
Volume8,434,216
Market Cap301.01B
PE Ratio (TTM)21.89
EPS (TTM)7.1
Dividend & Yield6.840 (4.39%)
1 Month Average Volume7,068,166

Chart

About Chevron Corp (CVX)

Chevron Corporation is a multinational energy company engaged in all aspects of the oil and gas industry, including exploration, production, refining, and marketing of crude oil and natural gas. The company operates in various regions around the world, focusing on both conventional and unconventional resources. In addition to its fossil fuel operations, Chevron is also investing in renewable energy technologies, such as biofuels and geothermal energy, as part of its commitment to transitioning towards a more sustainable energy future. Through its extensive supply chain, Chevron provides fuels and lubricants for transportation, industrial, and commercial needs, while also prioritizing safety and environmental stewardship in its operations. Read More

News & Press Releases

Market Minute: US Inflation Data Emerges from Shutdown Shadow, Reshaping Economic Outlook
The financial world is holding its breath as crucial US inflation data, previously delayed by a protracted government shutdown, finally sees the light of day. This long-awaited information, particularly the September Consumer Price Index (CPI) and Personal Consumption Expenditures (PCE) price index, is providing the Federal Reserve, businesses, and consumers
Via MarketMinute · November 10, 2025
Energy Sector Ignites Amidst Easing Shutdown Fears and Geopolitical Tensions
The S&P 500 Energy sector surged today, November 10, 2025, with the Energy Select Sector SPDR (XLE) climbing 1.4%, significantly outpacing the broader S&P 500's modest 0.1% gain. This robust performance was primarily fueled by a wave of optimism surrounding the potential resolution of the prolonged
Via MarketMinute · November 10, 2025
Chevron Unusual Options Activitybenzinga.com
Via Benzinga · November 10, 2025
Shutdown Progress Sends Oil Higher—Are Energy ETFs Finally Staging A Real Comeback?benzinga.com
Oil ETFs inch up as optimism over a U.S. government reopening and Russian export disruptions lift crude prices and investor confidence.
Via Benzinga · November 10, 2025
JPMorgan Says Chevron Investor Day Will Highlight Oil, Gas, LNG Market Dynamicsbenzinga.com
Chevron's 2025 Investor Day will focus on disciplined capital spending, dividend growth and technological innovation, according to JPMorgan analyst Arun Jayaram.
Via Benzinga · November 10, 2025
US Markets Soar as Government Shutdown Fears Recede, Oil Prices Find New Lift
Washington D.C., November 10, 2025 – A wave of palpable relief swept through global financial markets today as fears of a prolonged U.S. government shutdown significantly eased, triggering a robust rally across all major indices. The prospect of an end to the record-long federal impasse, which had cast a
Via MarketMinute · November 10, 2025
Gold, Oil, and Base Metals Soar as US Shutdown Hopes and Soft Economic Data Fuel Broad Commodity Rally
As of November 10, 2025, a wave of optimism is sweeping across commodity markets, with gold, oil, and base metals experiencing a significant rally. This bullish sentiment is largely being driven by a dual catalyst: the burgeoning hopes for an end to a protracted US government shutdown and a stream
Via MarketMinute · November 10, 2025
The Energy Breakthrough That Could Power the AI Era
This article has been disseminated on behalf of MAX Power Mining, which may include a paid advertisement
Via Investor Brand Network · November 10, 2025
Pay Attention, Berkshire Hathaway Investors: Warren Buffett To Drop Likely Farewell Letter Todaystocktwits.com
Monday’s letter to shareholders by Buffett will be his first official message since the surprise announcement about stepping down in May.
Via Stocktwits · November 10, 2025
Better High-Yield Energy Stock: Chevron vs. ExxonMobilfool.com
While these two giant U.S. energy companies are roughly similar in many ways, there's a reason why you might want to buy one over the other.
Via The Motley Fool · November 9, 2025
The Dollar's Double-Edged Sword: How Currency Swings Dictate Commodity Fortunes
The global financial landscape is constantly shifting, but few dynamics are as consistently impactful as the intricate dance between major currency fluctuations and commodity trading. At the heart of this relationship lies the US dollar, the world's primary reserve currency and the dominant pricing mechanism for nearly all major commodities,
Via MarketMinute · November 7, 2025
Commodity Crossroads: Declining Prices Offer Inflation Relief, But Core Pressures Persist
November 7, 2025 – The global economy finds itself at a critical juncture where the tides of inflation and commodity prices are moving in complex, often contradictory, directions. As of late 2025, a significant downtrend in overall commodity prices is providing a much-needed reprieve for global headline inflation, with projections indicating
Via MarketMinute · November 7, 2025
Weekly Commodity Market Wrap-Up: Gold Soars on Fed Hopes, Oil Struggles with Oversupply
The global commodity market experienced a week of recalibration, ending November 7, 2025, marked by a defensive investor sentiment. While the broader Bloomberg Commodity Total Return Index saw modest gains, individual sectors diverged significantly. Precious metals, particularly gold, surged past the $4,000 mark, propelled by heightened expectations of a
Via MarketMinute · November 7, 2025
Oil Market Rollercoaster: Analyzing the Impact of Recent Surges on Energy Sector Stocks Amidst Evolving Dynamics
The global oil market has been a theatre of dramatic shifts throughout 2025, witnessing significant price surges in the earlier part of the year driven by a potent mix of geopolitical tensions, strategic production cuts, and robust demand expectations. While the market currently finds itself navigating a period of moderation
Via MarketMinute · November 7, 2025
Global Markets Reel: Geopolitical Tensions Ignite Widespread Stock Plunge
As of November 7, 2025, global stock markets are experiencing a significant and widespread downturn, characterized by sharp losses across major indices and a palpable erosion of investor confidence. This market plunge is largely attributed to a complex interplay of persistent macroeconomic headwinds, including sticky inflation and a cooling labor
Via MarketMinute · November 7, 2025
European Stocks Brace for Worst Weekly Slump Since August Amid Global Tech Jitters and UK Market Turmoil
European stock markets are currently experiencing their most significant weekly decline since late August, casting a shadow of "risk-off" sentiment across global financial markets. As of November 7, 2025, the pan-European STOXX 600 index has recorded a weekly loss of 1.3%, marking its largest two-week fall since early September.
Via MarketMinute · November 7, 2025
Market Takes a Tumble: AI Valuations and Government Shutdown Spark Broad Sell-Off on November 7, 2025
U.S. equity markets concluded November 7, 2025, with a significant downturn, extending a week-long slide that saw the S&P 500, Nasdaq Composite, and Dow Jones Industrial Average all closing sharply lower. The market's negative sentiment was primarily fueled by resurfacing concerns over the "sky-high valuations" of Artificial Intelligence
Via MarketMinute · November 7, 2025
The Golden Paradox: Oil's Descent and Gold's Ascent Reshape Financial Markets Amidst Inflationary Crosscurrents
Global financial markets in November 2025 are navigating a complex landscape marked by a striking divergence in commodity prices: a significant decline in crude oil alongside an unprecedented surge in gold. This "golden paradox" is not merely a reflection of supply and demand dynamics but a potent indicator of pervasive
Via MarketMinute · November 7, 2025
Geopolitical Storm Brews: Global Markets Brace for Sustained Volatility
Global financial markets are currently navigating a turbulent sea of geopolitical tensions, with a complex interplay of ongoing conflicts, strategic rivalries, and domestic political instabilities driving significant uncertainty and volatility. As of November 7, 2025, investors are grappling with a fundamental re-evaluation of risk, leading to rapid shifts in sentiment
Via MarketMinute · November 7, 2025
APA Corporation Soars on Accelerated Cost Savings and Stellar Permian, Egypt Output in Q3 2025
APA Corporation (NASDAQ: APA) delivered a powerful performance in the third quarter of 2025, significantly exceeding market expectations. The Houston-based independent energy company reported an impressive surge in earnings, driven by an accelerated pace of cost savings and exceptional production outperformance from its key Permian Basin and Egyptian operations. This
Via MarketMinute · November 6, 2025
The Market's Pulse: Decoding Fear and Opportunity Through the VIX Amidst Commodity Market Influences
In the often-turbulent seas of global finance, understanding the collective psyche of investors is paramount. For decades, market participants have turned to the Cboe Volatility Index, more commonly known as the VIX, as a crucial barometer for this elusive sentiment. Dubbed the "Fear Index," the VIX offers a real-time snapshot
Via MarketMinute · November 6, 2025
VLCC Tanker Rates Ease from October Peaks, But Firmness Persists Amid Robust Demand
London, UK – November 6, 2025 – The global Very Large Crude Carrier (VLCC) market is navigating a complex landscape, as tanker rates, while easing slightly from the multi-year highs observed in late October, continue to demonstrate remarkable firmness. This sustained strength, with daily earnings consistently projected above $100,000, signals a
Via MarketMinute · November 6, 2025
ConocoPhillips Defies Headwinds: Dividend Soars Amidst Q3 2023 Earnings Dip
HOUSTON, TX – November 6, 2025 – Two years ago, on November 2, 2023, ConocoPhillips (NYSE: COP), one of the world's largest independent exploration and production (E&P) companies, made headlines with a seemingly counterintuitive announcement. Despite reporting a significant slide in its third-quarter 2023 net income, the company simultaneously declared a
Via MarketMinute · November 6, 2025
Divergent Paths: Oil Drowns in Oversupply as Gold Shines Bright in Safe-Haven Rally
Global financial markets in November 2025 are navigating a landscape of striking contrasts, where the abundant supply of crude oil is driving prices down, while a pervasive sense of geopolitical and economic uncertainty is propelling gold to unprecedented highs. This "divergent tales" scenario presents immediate and significant implications for investors,
Via MarketMinute · November 6, 2025
Navigating the Commodity Crossroads: Oil's Oversupply Woes and Gold's Safe-Haven Surge
As global markets brace for an uncertain future, the twin pillars of the commodity world—oil and gold—are telling divergent tales on November 6, 2025. Crude oil prices are experiencing a notable downturn, driven by a confluence of oversupply concerns and weakening global demand, signaling potential economic headwinds. Conversely,
Via MarketMinute · November 6, 2025